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JPMorgan Claverhouse Ord JCH.L · Stock Open JPMorgan Claverhouse Ord in new tab

958.00 GBX
P/E
5.95
EPS
1.60
Yield
3.84%
Safety Score
65
P/B
1.04
ROE
18.31
Beta
0.56
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Key Metrics
P/E5.95
EPS1.60
Book Value9.34
Price to Book1.04
Debt/Equity5.90
% Insiders1.353%
Growth
Revenue Growth-0.40%
Earnings Growth-0.41%
Dividend
Dividend Yield3.84%
Annual dividends0.36 GBX
Ex-Div. DateJuly 23, 2026
Payout22.71%
5y avg Yield4.61%

DCF Valuation

Tweak assumptions to recompute fair value for JPMorgan Claverhouse Ord (JCH.L)
Currency: GBX
DCF Assumptions
Decimal (e.g., 0.10 = 10%). Range allows declines (−50%) to strong growth (+50%).
Decimal (e.g., 0.30 = 30%).
Decimal (e.g., 0.04 = 4%).
Decimal (e.g., 0.20 = 20%).
Percent number (e.g., 3 = 3%).
Percent number (e.g., 10 = 10%).
Percent number (e.g., 5 = 5%).
DCF Result

Fair Value (DCF)
Current Price
Upside
WACC
Terminal PV
Σ PV of FCFs
Note: historical bars show reported FCF (for context); forward bars show PV of projected FCF; if no per-year data, totals are shown.

JPMorgan Claverhouse Ord Analysis (JCH.L)

United Kingdom Stock

Is JPMorgan Claverhouse Ord a good investment? JPMorgan Claverhouse Ord (JCH.L) is currently trading at 958.00 GBX.

In terms of valuation, the stock trades at a P/E ratio of 5.95. This relatively low multiple may signal that JPMorgan Claverhouse Ord is undervalued compared to historical market norms.

For income investors, JPMorgan Claverhouse Ord pays a dividend yield of 3.84%. With a payout ratio of 23%, the dividend appears sustainable.

Investor FAQ

Does JPMorgan Claverhouse Ord pay a dividend?

Yes, it pays an annual dividend of 0.36 GBX (3.84% yield).

What asset class is JPMorgan Claverhouse Ord?

JPMorgan Claverhouse Ord is classified as a Stock. You can compare it against its peer in the "Related Symbols" list.

Company Profile

JPMorgan Claverhouse Investment Trust plc is a closed ended equity mutual fund launched and managed by JPMorgan Funds Limited. It is co-managed by JPMorgan Asset Management (UK) Limited. The fund invests in the public equity markets of the United Kingdom. It seeks to invest in stocks of companies operating across diversified sectors. The fund primarily invests in dividend paying stocks of large cap companies. It benchmarks the performance of its portfolio against the FTSE All-Share Index. JPMorgan Claverhouse Investment Trust plc was formed on April 24, 1963 and is domiciled in the United Kingdom.

Exchange Ticker
LSE (United Kingdom) JCH.L
Trades
Dividend Yield
3.84%
5y avg 4.61%
Annual Dividends
0.36GBX
Next Ex. Div Date
July 23, 2026
Payout Ratio
22.71%
Dividend History paid per year (GBX)
Historical Dividends
Year Total Dividends
2027
20.11 GBX
June 1, 2027 (estimated) 9.0233
March 1, 2027 (estimated) 11.0849
2026
36.92 GBX
Dec. 1, 2026 (estimated) 8.9172
Sept. 1, 2026 8.5000
June 1, 2026 8.5000
March 2, 2026 11.0000
2025
35.85 GBX
Dec. 1, 2025 8.4000
Sept. 1, 2025 8.4000
June 2, 2025 8.4000
March 3, 2025 10.6500
2024
35.25 GBX
Dec. 4, 2024 8.2500
Sept. 2, 2024 8.2500
June 3, 2024 8.2500
March 1, 2024 10.5000
2023
34.50 GBX
Dec. 1, 2023 8.0000
Sept. 1, 2023 8.0000
June 13, 2023 8.0000
March 17, 2023 10.5000
2022
32.00 GBX
Dec. 1, 2022 7.5000
Sept. 1, 2022 7.5000
June 1, 2022 7.5000
March 4, 2022 9.5000
2021
31.00 GBX
Dec. 1, 2021 7.0000
Sept. 6, 2021 7.0000
June 4, 2021 7.0000
March 5, 2021 10.0000
2020
29.75 GBX
Dec. 4, 2020 6.5000
Sept. 1, 2020 6.5000
June 1, 2020 6.5000
March 2, 2020 10.2500
2019
28.25 GBX
Dec. 3, 2019 6.2500
Sept. 2, 2019 6.2500
May 31, 2019 6.2500
March 1, 2019 9.5000
2018
27.50 GBX
Dec. 3, 2018 6.0000
Sept. 3, 2018 6.0000
June 1, 2018 6.0000
March 1, 2018 9.5000
2017
30.00 GBX
Dec. 1, 2017 5.5000
Sept. 1, 2017 5.5000
Aug. 10, 2017 5.5000
June 1, 2017 5.5000
March 3, 2017 8.0000
2016
21.50 GBX
Dec. 1, 2016 5.0000
Sept. 1, 2016 5.0000
June 1, 2016 5.0000
March 1, 2016 6.5000
2015
21.50 GBX
Dec. 1, 2015 5.0000
Sept. 1, 2015 5.0000
June 1, 2015 5.0000
March 2, 2015 6.5000
2014
19.50 GBX
Dec. 1, 2014 4.5000
Sept. 1, 2014 4.5000
June 2, 2014 4.5000
March 3, 2014 6.0000
2013
24.28 GBX
Dec. 2, 2013 5.0000
Sept. 2, 2013 5.0000
June 3, 2013 5.0000
March 1, 2013 9.2778
2012
18.25 GBX
Dec. 3, 2012 3.5000
Sept. 3, 2012 3.5000
June 1, 2012 3.5000
March 1, 2012 7.7500
2011
17.50 GBX
Dec. 1, 2011 3.5000
Sept. 1, 2011 3.5000
June 1, 2011 3.5000
March 1, 2011 7.0000
2010
16.90 GBX
Dec. 1, 2010 3.5000
Sept. 1, 2010 3.5000
June 1, 2010 3.5000
March 1, 2010 6.4000
2009
20.00 GBX
Dec. 1, 2009 3.5000
Sept. 1, 2009 3.5000
June 1, 2009 3.5000
March 2, 2009 9.5000
2008
15.70 GBX
Dec. 1, 2008 3.5000
Sept. 1, 2008 3.5000
June 2, 2008 3.5000
March 3, 2008 5.2000
2007
15.00 GBX
Dec. 2, 2007 3.5000
Sept. 3, 2007 3.3000
June 1, 2007 3.3000
March 1, 2007 4.9000
2006
12.30 GBX
Dec. 1, 2006 3.0000
Sept. 1, 2006 2.8000
June 1, 2006 2.8000
March 1, 2006 3.7000
2005
10.95 GBX
Dec. 1, 2005 2.6000
Sept. 1, 2005 2.6000
June 1, 2005 2.6000
March 1, 2005 3.1500
2004
10.50 GBX
Dec. 1, 2004 2.5000
Sept. 1, 2004 2.5000
June 1, 2004 2.5000
March 1, 2004 3.0000
2003
9.95 GBX
Dec. 1, 2003 2.4000
Sept. 1, 2003 2.4000
June 2, 2003 2.4000
March 3, 2003 2.7500
2002
9.40 GBX
Dec. 2, 2002 2.3000
Sept. 2, 2002 2.3000
May 31, 2002 2.3000
March 1, 2002 2.5000
2001
11.40 GBX
Dec. 3, 2001 2.0000
Sept. 3, 2001 2.0000
June 1, 2001 2.0000
March 1, 2001 2.7000
Feb. 26, 2001 2.7000
2000
7.30 GBX
Dec. 1, 2000 1.7000
Sept. 1, 2000 1.7000
June 1, 2000 1.7000
March 1, 2000 2.2000
1999
7.75 GBX
Dec. 1, 1999 1.7000
Sept. 1, 1999 1.7000
June 1, 1999 1.7000
March 1, 1999 2.6500
1998
6.80 GBX
Dec. 1, 1998 1.4500
Sept. 1, 1998 1.4500
June 1, 1998 1.4500
March 2, 1998 2.4500
1997
6.55 GBX
Dec. 1, 1997 1.4500
Sept. 1, 1997 1.4500
June 2, 1997 1.4500
March 3, 1997 2.2000
1996
6.50 GBX
Nov. 4, 1996 1.4500
Sept. 2, 1996 1.4500
June 3, 1996 1.4500
March 1, 1996 2.1500
1995
5.87 GBX
Dec. 1, 1995 1.4500
Sept. 1, 1995 1.2500
June 1, 1995 1.2500
March 1, 1995 1.9200
1994
5.50 GBX
Dec. 1, 1994 1.2500
Sept. 1, 1994 1.2500
June 1, 1994 1.2500
March 1, 1994 1.7500
1993
6.95 GBX
Dec. 1, 1993 1.2500
Sept. 1, 1993 1.2500
June 1, 1993 1.2500
March 1, 1993 3.2000
1992
8.00 GBX
Dec. 1, 1992 1.2500
Sept. 1, 1992 1.2500
June 1, 1992 2.5000
March 1, 1992 3.0000
1991
10.75 GBX
Dec. 1, 1991 2.5000
Sept. 1, 1991 2.5000
June 1, 1991 2.5000
March 15, 1991 3.2500
1990
4.75 GBX
Sept. 28, 1990 1.7500
March 27, 1990 3.0000
1989
4.03 GBX
Sept. 4, 1989 1.2500
Feb. 13, 1989 2.7750
1988
6.25 GBX
Aug. 15, 1988 1.7000
Jan. 26, 1988 4.5500
1987
2.83 GBX
Aug. 24, 1987 0.8500
Jan. 26, 1987 1.9750
1986
2.70 GBX
July 28, 1986 0.8500
Jan. 27, 1986 1.8500
1985
2.92 GBX
Sept. 27, 1985 0.6870
July 29, 1985 0.6870
Jan. 28, 1985 1.5500
1984
1.94 GBX
July 30, 1984 0.6250
Jan. 16, 1984 1.3120
1983
1.74 GBX
Aug. 1, 1983 0.5620
Jan. 17, 1983 1.1750
1982
2.20 GBX
Aug. 2, 1982 1.1250
Jan. 25, 1982 1.0750
1981
3.20 GBX
Sept. 14, 1981 1.1250
Jan. 26, 1981 2.0750
1980
2.98 GBX
Sept. 15, 1980 1.1250
Jan. 28, 1980 1.8500
1979
1.29 GBX
Sept. 10, 1979 0.5630
Feb. 12, 1979 0.7250
1978
1.53 GBX
Sept. 18, 1978 0.3750
Feb. 13, 1978 1.1500
1977
1.98 GBX
Sept. 5, 1977 0.3750
Feb. 14, 1977 1.6000
1976
1.38 GBX
Feb. 9, 1976 1.3750
1975
0.65 GBX
Feb. 10, 1975 0.6500
1974
0.61 GBX
Feb. 11, 1974 0.6130
1973
0.48 GBX
Feb. 12, 1973 0.4780
Upcoming Dividends
Name Payment Date Status Amount
JPMorgan Claverhouse Ord Sep 01, 2026 8.5 GBX
JPMorgan Claverhouse Ord Jun 01, 2026 8.5 GBX
JPMorgan Claverhouse Ord Mar 02, 2026 11.0 GBX
JPMorgan Claverhouse Ord Dec 01, 2025 8.4 GBX
Stock Splits
Split Date Split Ratio to 1
March 29, 1993 2:1
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